Job Description
Job Description
Introducing Your New Company
Our client is a fast-growing integrated wealth solutions provider.
Your New Role
- Reporting directly to Group Management, you will serve as Head of Compliance.
- You will build and oversee the Group-wide compliance framework, ensure adherence to all statutory and regulatory requirements, and act as the primary compliance advisor across different business lines e.g. trust services, family office and wealth planning.
- Key duties include regulatory liaison, AML/KYC and financial crime controls, compliance monitoring, policy development, training and etc.
Your Background
- Bachelor’s degree or above in Law, Compliance, Business Administration or a related discipline.
- 8-12 years of compliance experience in financial services, with insurance industry exposure preferred.
- Strong knowledge of regulatory frameworks in Hong Kong and Singapore
- Proficiency in Chinese (Cantonese and/or Mandarin) is a distinct advantage.
What You'll Receive in Return
A senior leadership role in a dynamic and ambitious organisation, with the opportunity to shape compliance strategy and culture, direct access to Group Management, and strong potential for professional growth in a rapidly expanding wealth solutions group.
Start Your Search Now
Contact ada.cheung@upsidegroup.co to explore this opportunity.
For More Information Visit: https://upsidegroup.co/